Security (XS1733958927)

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Pro-Gest 3,25% 15/12/2024 Reg S

Delisted
Euro MTF
Bond
Fixed rate
EUR

XS1733958927

30,397 i %
16/07/24 14:17:45
Overview
Market
Documents
Issuer
Programme
Reference data
Issue type
Fixed rate
Issued amount
249.570.000 EUR
Listing date
14/12/2017
First trading date
14/12/2017
Final maturity
15/12/2024
Delisting date

15/12/2024

Final maturity

Coupon
3,25%
Periodicity
Half-Yearly
Redemption price
100
Notices
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Always in motion
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Always in motion